Tauf,

This almost works, except that in this case, the .exe files are going to be 
exactly the same.  The really difficult part of this is that both machines will 
have identical software.  It's just in the record of what we paid for that 
there is a difference.  In setting up the contracts in Asset Management I guess 
we can set up the same products for multiple contracts, and manually relate 
them instead of using the cool SRM form with automated lookups that we've built.

Thanks,

Shawn Pierson
Remedy Developer | Southern Union
5444 Westheimer Rd. Houston, TX 77056 | 713.989.7226

From: Action Request System discussion list(ARSList) 
[mailto:[email protected]] On Behalf Of Chowdhury, Tauf
Sent: Thursday, October 08, 2009 2:59 PM
To: [email protected]
Subject: Re: Asset Management Software Licensing Issue

**
Shawn,
>From an amateur at this (since we are like 2 steps behind you in implementing 
>asset management), you may be able to modify the PDE to look for a specific 
>.exe in 2007 but categorize it as 2010. That way, if you relate that specific 
>PDE to the 2010 contract, the 2007 installs will be categorized as 2010. Make 
>sense or did I confuse it more?

Tauf Chowdhury
Analyst, Service Management
Office: 631.858.7765
Mobile:646.483.2779



From: Action Request System discussion list(ARSList) 
[mailto:[email protected]] On Behalf Of Pierson, Shawn
Sent: Thursday, October 08, 2009 2:03 PM
To: [email protected]
Subject: Asset Management Software Licensing Issue

**
Good afternoon,

This may be more of a business process question than an application question, 
but I wanted to see if anyone out there has a solution.

The scenario that causes the problem is that we have transition periods for 
software between version updates.  The basic flow of this is:

 1.  We have Visio 2007 as a standard and track our licenses for 2007.
 2.  Visio 2010 becomes available, and we begin purchasing licenses for 2010, 
but because we are in a transition period, we install Visio 2007.
 3.  Once the transition period is complete, we upgrade all users from 2007 to 
2010.

This approach has a few problems, though.  The first is that it makes it 
difficult to track owned licenses versus installations.  Basically, the 
situation like this is what would cause the problem:

 1.  User A requests Visio, and he purchases and gets Visio 2007 installed.
 2.  Later on, User B requests Visio, and because Microsoft has made 2010 
available, User B purchases Visio 2010.
 3.  I.T. is not yet ready to upgrade the enterprise to 2010, so they install 
Visio 2007 on User B's machine.
 4.  In Asset Management, we track our Visio 2007 licenses in one Software 
Contract, and our 2010 licenses in another.  The 2010 users have downgrade 
rights to 2007, but the 2007 users do not have upgrade rights to 2010.
 5.  When we perform a discovery, we see that both User A and User B have Visio 
2007 installed, and in our reconciliation, we appear to be out of compliance on 
Visio 2007 by one license, and we appear to have a free Visio 2010 license.

The other problem with this is that we won't be able to quantify what we really 
have available when we do queries against the Software Contracts.  Based on the 
scenario above, when a new user goes to request Visio 2010, the system will 
think we have a license available, when in reality it is used for User B's 2007 
installation.

So if anyone has any suggestions on how to deal with this, we would greatly 
appreciate it.  We are on ITSM 7.0 so any answers of how to track these related 
licenses better in 7.5 will be appreciated, but not as much as things that work 
on 7.0.

Thanks,

Shawn Pierson
Remedy Developer | Southern Union


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